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Investments, Summary of Investments (Details) - USD ($)
$ in Thousands
9 Months Ended 12 Months Ended
Sep. 30, 2019
Dec. 31, 2018
Summary of Investments [Abstract]    
Cost [1] $ 1,212 $ 1,212
Gross unrealized gains 0 137
Gross unrealized losses (606) 0
Estimated fair value 606 1,349
Cost 1,988,932 1,874,529
Gross unrealized gains 5,307 556
Gross unrealized losses (1,185) (4,068)
Estimated fair value 1,993,054 1,871,017
Available-for-sale Securities [Member]    
Summary of Investments [Abstract]    
Cost [2] 1,987,720 1,873,317
Gross unrealized gains 5,307 419
Gross unrealized losses (579) (4,068)
Estimated fair value 1,992,448 1,869,668
Available-for-sale Securities [Member] | Securities with Maturity of One Year or Less [Member]    
Summary of Investments [Abstract]    
Cost [2] 1,297,389 1,433,930
Gross unrealized gains 2,073 31
Gross unrealized losses (237) (2,362)
Estimated fair value 1,299,225 1,431,599
Available-for-sale Securities [Member] | Securities with Maturity of More than One Year [Member]    
Summary of Investments [Abstract]    
Cost [2] 690,331 439,387
Gross unrealized gains 3,234 388
Gross unrealized losses (342) (1,706)
Estimated fair value 693,223 438,069
Corporate Debt Securities [Member] | Securities with Maturity of One Year or Less [Member]    
Summary of Investments [Abstract]    
Cost [2] 752,495 [3] 956,879
Gross unrealized gains 1,484 13
Gross unrealized losses (148) (1,858)
Estimated fair value 753,831 955,034
Corporate Debt Securities [Member] | Securities with Maturity of More than One Year [Member]    
Summary of Investments [Abstract]    
Cost [2] 539,820 299,018
Gross unrealized gains 3,108 194
Gross unrealized losses (161) (1,286)
Estimated fair value 542,767 297,926
Debt Securities issued by U.S. Government Agencies [Member] | Securities with Maturity of One Year or Less [Member]    
Summary of Investments [Abstract]    
Cost [2] 176,589 168,839
Gross unrealized gains 321 3
Gross unrealized losses (45) (104)
Estimated fair value 176,865 168,738
Debt Securities issued by U.S. Government Agencies [Member] | Securities with Maturity of More than One Year [Member]    
Summary of Investments [Abstract]    
Cost [2] 106,536 107,789
Gross unrealized gains 101 194
Gross unrealized losses (137) (109)
Estimated fair value 106,500 107,874
Debt Securities issued by the U.S. Treasury [Member] | Securities with Maturity of One Year or Less [Member]    
Summary of Investments [Abstract]    
Cost [2] 331,371 [3] 244,640
Gross unrealized gains 264 15
Gross unrealized losses (17) (77)
Estimated fair value 331,618 244,578
Debt Securities issued by the U.S. Treasury [Member] | Securities with Maturity of More than One Year [Member]    
Summary of Investments [Abstract]    
Cost [2] 34,692 15,600
Gross unrealized gains 0 0
Gross unrealized losses (38) (24)
Estimated fair value 34,654 15,576
Debt Securities issued by States of the U.S. and Political Subdivisions of the States [Member] | Securities with Maturity of One Year or Less [Member]    
Summary of Investments [Abstract]    
Cost [2] 33,986 63,572 [3]
Gross unrealized gains 4 0
Gross unrealized losses (27) (323)
Estimated fair value 33,963 63,249
Debt Securities issued by States of the U.S. and Political Subdivisions of the States [Member] | Securities with Maturity of More than One Year [Member]    
Summary of Investments [Abstract]    
Cost [2] 9,283 16,980
Gross unrealized gains 25 0
Gross unrealized losses (6) (287)
Estimated fair value 9,302 $ 16,693
Other Municipal Debt Securities [Member] | Securities with Maturity of One Year or Less [Member]    
Summary of Investments [Abstract]    
Cost [2] 2,948  
Gross unrealized gains 0  
Gross unrealized losses 0  
Estimated fair value $ 2,948  
[1] We recognize our equity securities at cost minus impairments, plus or minus changes resulting from observable price changes in orderly transactions for the identical or similar investment of the same issuer on our condensed consolidated balance sheet.
[2] Our available-for-sale securities are held at amortized cost.
[3] Includes investments classified as cash equivalents on our condensed consolidated balance sheet.